Puuilo Oyj / Estimates

    Fiscal Year Revenue Net income Net margin Free cash flow FCF margin
    (estimated) €632.40M +12.3% N/A N/A N/A N/A
    (estimated) €563.13M +12.2% €75.08M +14.7% 13.3% +0.0030 pp €74.48M +17.8% 13.2% +0.0063 pp
    (estimated) €502.12M +13.3% €65.44M +15.3% 13.0% +0.0022 pp €63.23M +16.9% 12.6% +0.0039 pp
    (estimated) €443.14M +15.6% €56.76M +18.5% 12.8% +0.0032 pp €54.08M -3.8% 12.2% -0.025 pp
    €383.50M +13.3% €47.90M +23.8% 12.5% +0.011 pp €56.20M -10.4% 14.7% -0.039 pp
    €338.40M +14.2% €38.70M +10.3% 11.4% -0.0041 pp €62.70M +18.3% 18.5% +0.0065 pp
    €296.40M +9.7% €35.10M +10.0% 11.8% +0.00032 pp €53.00M +275.9% 17.9% +0.13 pp
    €270.10M +13.1% €31.90M +10.8% 11.8% -0.0025 pp €14.10M -64.7% 5.2% -0.12 pp
    €238.72M +40.0% €28.80M +89.0% 12.1% +0.031 pp €39.96M +50.6% 16.7% +0.012 pp
    €170.48M +25.1% €15.24M +23.8% 8.9% -0.00098 pp €26.53M +128.5% 15.6% +0.070 pp
    €136.23M €12.31M 9.0% €11.61M 8.5%

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